Our client, a leading financial services company seeking a talented Liquidity Associate to join our dynamic Front Office Services (FOS) team.
Key Accountabilities
As a Liquidity Associate, you will focus on the liquidity management for our portfolios, including:
- Liquidity / Active Cash Management
- FX / Derivatives Support
- Short Term Money Market Instruments Management and Execution
- Treasury Market Data Insights and Analytics
Key Responsibilities:
Liquidity / Active Cash Management
- Review and monitor cash balances and the cash settlement ladder
- Proactively support the portfolio manager on funding requirements, invest excess cash, manage exposure risk, and avoid overdraft
- Manage cash levels across counterparties within permitted limits
- Order Generation & Execution
- Generate FX and STMMI orders
- Work with the Investment Monitoring team to resolve any flagged breaches
- Collaborate with the Dealing team to support efficient execution
- Ensure effective execution while maintaining "best execution" standards and professional relationships with counterparties for cash instruments like Time Deposits and MMF
- Review counterparties in terms of level, capacity, willingness to trade, and rates competitiveness
- Adhere to regulatory and compliance requirements to meet the goals of the Fund Management teams
- Derivatives Overlay Support
- Support cash collaterals and margins, ensuring reasonable day-to-day movements
- Assist Investment Teams with cash requirements for OTC products
- Data, Infrastructure, Research, and Projects
- Support the team with Aladdin and other technology and data vendor requirements
- Maintain relevant dashboards and tools to support decision-making across different toolsets
- Assist the team with research, analysis, and reporting
- Participate in projects aimed at automation, control improvement, risk reduction, and process optimization
- New Fund Launch and Strategies Support
- Participate in internal and client meetings to support fund launches or mandate changes, collaborating closely with the Transitions team and other functions
Experience and Qualifications
- More than 8 years of broad experience in the asset management industry, emphasizing Treasury / Liquidity Cash management and execution
- Proficient in investment concepts, instruments, investment portfolio asset classes, and financial derivatives
- Strong knowledge of a wide range of treasury products and related operations
- Familiarity with investment regulations and funding/repatriation restrictions of various markets
If you or anyone within your network is keen to discuss it further then do share your resume with [email protected]